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FINRA, SEC Slam ICBCFS Over Allegedly Inadequate AML

May 31, 2018 by Louis Chunovic

FINRA, SEC Slam ICBCFS Over Allegedly Inadequate AML

The Financial Industry Regulatory Authority (FINRA) reports that it has censured and fined Industrial and Commercial Bank of China Financial Services (ICBCFS) $5.3 million for systemic anti-money laundering compliance failures, including its failure to have a “reasonable” AML program in place to monitor and detect suspicious transactions, as well as other violations, including financial, record-keeping… Read More >>

Filed Under: Securities Operations, Operational Risk, Risk Management, General Interest, Governance, Diversity, Equity, and Inclusion (DEI), Back-Office, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: AML, AML/Fraud/Financial Crime, back office, Chardan Capital Markets, FINRA, General Interest, governance, Human Interest, ICBCFS, Industrial and Commercial Bank of China Financial Services, Jerard Basmagy, operational risk, regulation, Regulation & Compliance, Regulatory, reporting, risk management, SEC, Securities Operations

Vestmark Launches Outsourced Service for Trading Models

May 30, 2018 by Eugene Grygo

Vestmark Launches Outsourced Service for Trading Models

Vestmark is unveiling its Model Trading Service (MTS), a way to outsource model management, trading, rebalancing and account administration and cut overhead costs, say officials at the portfolio management software and services vendor. Citing Cerulli Associates, Vestmark officials argue that firms using models and outsourcing model portfolios will find it easier “to streamline their practices… Read More >>

Filed Under: Securities Operations, Buy-Side, Data Management, Industry News, Operational Risk, Ops Automation, Outsourcing, Risk Management, Governance, Integration, KYC Tagged With: automation, Buy-side, data management, General Ops, governance, integration, KYC, Model Trading Service (MTS), operational risk, outsourcing, risk management, Securities Operations, Vestmark

ICE Buys TMC Bonds for $685 Million

May 30, 2018 by FTF News

ICE Buys TMC Bonds for $685 Million

ICE to Offer TMC’s Services Alongside Its Own  The Intercontinental Exchange (ICE), owner of the New York Stock Exchange (NYSE), will be expanding its electronic trading offerings for fixed income liquidity via its $685 million acquisition of TMC Bonds, ICE officials say. The cash transaction will close during the second half of 2018, “subject to… Read More >>

Filed Under: Securities Operations, Data Management, Industry News, Operational Risk, Ops Automation, Outsourcing, Risk Management, Governance, FinTech Trends, Back-Office, Standards, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: Abacus, AbacusGlobalSync, automation, back office, Benjamin Jackson, Christer Wennerberg, Commcise, CommciseSELL platform, data management, electronic trading, FinTech Ops, General Ops, governance, ICE, Industry News, Intercontinental Exchange (ICE), Itiviti & ULLINK, New York Stock Exchange (NYSE), operational risk, outsourcing, regulation, Regulation & Compliance, regulatory reporting, risk management, Sanford Bernstein, Securities Operations, Standards, TMC Bonds

Fed to Mull Changes to the Volcker Rule

May 30, 2018 by Eugene Grygo

Fed to Mull Changes to the Volcker Rule

The Board of Governors of the Federal Reserve System will be considering changes to the controversial Volcker Rule on Wednesday, May 30, at its open meeting in the nation’s capital, and many in the financial services industry will be watching closely. The Volcker Rule, which is section 619 of the Dodd–Frank Wall Street Reform and… Read More >>

Filed Under: Industry News, Risk Management, Governance, Standards, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: Board of Governors of the Federal Reserve System, General Ops, governance, regulation, Regulation & Compliance, regulatory reporting, risk management, section 619 of the Dodd–Frank Wall Street Reform and Consumer Protection Act of 2010, Standards, Volcker Rule

Fidessa Picks ION Bid Over Temenos & SS&C Overtures

April 20, 2018 by Eugene Grygo

Fidessa Picks ION Bid Over Temenos & SS&C Overtures

ION Capital U.K. Ltd., which is indirectly and wholly owned by ION Investment Group Ltd., has won a key round in the battle to buy Fidessa as its $2.3 billion (£1.5 billion) bid has gotten the approval of the Fidessa board, besting a bid from Temenos. “The boards of ION and Fidessa are pleased to… Read More >>

Filed Under: Securities Operations, Buy-Side, Data Management, Mergers & Acquisitions, Middle-Office, Ops Automation, Outsourcing, Risk Management, Settlement, Governance, FinTech Trends, Back-Office, Standards, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: AML/Fraud/Financial Crime, Andreas Andreades, automation, back office, Buy-side, data management, Fidessa, Fidessa Affirmation Management System (AMS), FinTech Ops, governance, Industry News, ION Capital U.K. Ltd, ION Investment Group, John Hamer, M&A, middle office, outsourcing, regulation, Regulation & Compliance, regulatory reporting, risk management, Securities Operations, Settlement and T+2, SS&C, Standards, Temenos

Access Fintech Gets Two Boosts from JPMorgan

April 12, 2018 by Eugene Grygo

Access Fintech Gets Two Boosts from JPMorgan

Post-trade start-up Access Fintech is getting two boosts from JPMorgan Chase & Co.: a round of series A funding from the bank, and membership in the JPMorgan In-Residence program — all to bolster the young vendor’s offering that brings together many post-trade processes into a single, aggregated view. The JPMorgan funding may pave the way… Read More >>

Filed Under: Securities Operations, Corporate Actions, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, General Interest, Governance, FinTech Trends, Back-Office, Integration, Standards, Industry News Tagged With: Access Fintech, buy-side firms, Global Exception Network, JPMorgan Chase & Co., risk management, Roy Saadon

CME Group to Buy NEX Group for $5.5 Billion

March 29, 2018 by Eugene Grygo

CME Group to Buy NEX Group for $5.5 Billion

Derivatives exchange operator CME Group Inc. is set to acquire NEX Group plc for an estimated $5.5 billion and, if all goes well, the combined provider of transaction processing across futures, cash and over-the-counter (OTC) instruments will be able to offer many post-trade capabilities beyond clearing services. The CME Group encompasses: CME Clearing; the Chicago… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Securities Operations, Buy-Side, Clearing, Data Management, Mergers & Acquisitions, Ops Automation, Risk Management, Settlement, Governance, Back-Office, Derivatives, Industry News Tagged With: automation, back office, Breaking News, Buy-side, Chicago Mercantile Exchange (CME), clearing, CME Clearing, CME Globex electronic trading platform; Chicago Board of Trade (CBOT); Kansas City Board of Trade (KCBOT); New York Mercantile Exchange (NYMEX); Commodity Exchange, CME Group, collateral management, data management, derivatives, Derivatives Operations, derivatives processing, FinTech Ops, governance, Inc. (COMEX), Industry News, M&A, Michael Spencer, NEX Group, risk management, Securities Operations, Settlement and T+2, Terry Duffy

Voya Settles SEC’s Conflict of Interest Charges

March 13, 2018 by Eugene Grygo

Voya Settles SEC’s Conflict of Interest Charges

Voya Holdings Inc. has settled with the SEC over charges that two investment adviser subsidiaries did not disclose conflicts of interest and made misleading disclosures “in connection with their practice of recalling securities on loan so their affiliates could receive tax benefits,” SEC officials say. The Voya adviser affiliates have agreed to be censured and… Read More >>

Filed Under: Securities Operations, Buy-Side, Data Management, Risk Management, Governance, Diversity, Equity, and Inclusion (DEI), AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: AML/Fraud/Financial Crime, Anthony S. Kelly, Buy-side, data management, Directed Services LLC, governance, Human Interest, regulation, Regulation & Compliance, regulatory reporting, risk management, SEC, SEC Enforcement Division’s Asset Management Unit, Securities Operations, Voya Holdings Inc., voya investment management

U.S. Firms Prepare for Tougher E.U. Privacy Regs

January 30, 2018 by Eugene Grygo

U.S. Firms Prepare for Tougher E.U. Privacy Regs

(Editor’s note: The General Data Protection Regulation (GDPR) from the European Union was created to do two major jobs: replace the Data Protection Directive 95/46/EC, and to harmonize data privacy laws across Europe, officials report. The new legislation, when it takes effect May 25, 2018, is intended to “protect and empower” data privacy and “reshape… Read More >>

Filed Under: Securities Operations, Data Management, Ops Automation, Risk Management, Governance, Back-Office, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: automation, back office, data management, data privacy laws, Data Protection Directive 95/46/EC, European Union, General Data Protection Regulation (GDPR), governance, Northern Trust, regulation, Regulation & Compliance, regulatory reporting, risk management, Ryan Burns, Securities Operations

BNP Paribas USA Pleads Guilty to FX Price-Fixing

January 30, 2018 by Eugene Grygo

BNP Paribas USA Pleads Guilty to FX Price-Fixing

Officials of the U.S. Justice Department and BNP Paribas USA Inc. (BNPP USA) have settled a case in which the subsidiary of BNP Paribas is pleading guilty to one count of price-fixing via foreign exchange (FX) markets and has agreed to pay a criminal fine of $90 million. According to documents filed recently with the… Read More >>

Filed Under: Securities Operations, Data Management, Operational Risk, Risk Management, Governance, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: AML/Fraud/Financial Crime, BNP Paribas, data management, FDIC Inspector General Jay N. Lerner, foreign exchange (FX), governance, New York State Department of Financial Services and the Board of Governors, operational risk, regulation, Regulation & Compliance, regulatory reporting, risk management, Securities Operations, Sherman Act, U.S. District Court for the Southern District of New York, U.S. Justice Department

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